Aim of the conferencee
Presentation, discussion, and information exchange in the area of the financial management and decision-making of the financial and non-financial companies.
Conference date
10th - 11th September 2012
Conference guarantee
prof. Dr. Zdeněk Zmeškal
Key conference topics
- Value at Risk methodology application,
- credit risk management ,
- Corporaterisk methodology application,
- financial variables forecasting,
- derivatives valuation and their application in risk management,
- current problems in banking and insurance sector,
- bank position in business environment support,
- risk management in banks and insurance companies,
- market, interest, currency and commodity risk,,
- real options application,
- operational risk management,
- optimization and portfolio management,
- hedging strategies application,
- other selected topics concentrating on risk management.
List of conference participants is available here.
Detailed program of conference sessions is available here.